Account Group Report
Dear All
Is it possible to see the Vendor balances Account Group wise. The user wants to only enter the Vendor Account Group which he gave during configuration and wants a report based on that Account Group...
Thanks & Regards
Kanwaljit
Hi,
Give the number range of that group.
OR
Use the worklist and put all the vendor relating to that group.
OR
Using the Custom Report you can achieve this, copy the FK10N and have selection criteria along with the field 'ACCOUNT GROPU' - on execution first system has to check the vendors in that range from the LFA1 table and execute the vendor balance report.
OR
S_ALR_87010032
VVR
Similar Messages
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Vendor report by account group
Hi,
Does anyone know the t-code to pull up the vendor list by account group?
ThanksHi,
Using SE38 execute the report RFKKVZ00.Select dynamic selections (Shift+F4) and double click on account group and execute the report.
Regards
Aravind
Assign points if useful -
Account Group wise vendor aging report
Dear Gurus,
How can I see vedor account group wise ageing report in a company code?i.e Trade Vendors, Non Trade Vndors wise aging report
Thanks in adv.
N.M.BDear Raghavender
No need to create to variant and all.
You just go to S_ALR_87012085 then go to dynamic selections. There we can give account group whatever we want.
If u have any doubts reg. this pls ask me
Bye
Murali -
Customer master Query report doesnt pick all the customer account groups
Hello experts
We have a custom Query report created using customer master tables KNA1,KNVV,KNB1 etc. We have customers maintained under 5 customer account groups. One of the selection fields in the query is account group. But it displays customers only in 4 of the 5 account groups for some reason, even though we have customers maintained in that group(prospective customers).
Any reason why this could occur? How do i ensure that customers from all account groups are visible?
Thanks in advanceHai Ravi
In SAP query if you join
KNA1 - KNB1- KNVV
General - Sasles data - company data
May be your 5th Account type is created without company code data.
The query will display only if the data is linked in all tables.
In case if you don't have company code data but you want the details of the account group customer
In the query join screen.
Right click on the joining line between KNB1 and KNVV and select Left outer join.
Now run the report , it will show all the account group data.
Regards,
Mani -
Dear Expert
Is there any direct report for account group defined in OBD4. Ex I have defined CWIP in OBD4 with range xxxxxx to xxxxxx. I want to execute directly with out writing G/L Nos in any standard report.
Thanks - VGHi,
There are many reports with S_ALR with starting. That is the reason I gave *. Please go through the below path in SAP Easy Access. You can see the reports related to GL.
Accounting
Financial Accounting
General Ledger
Information System
General Ledger Reports
There you can see different group of records. You can use as per requirement.
BR
Ranga M -
Report displaying values by account group?
Hi,
All reports that I can find display the information of values in cost center associated to accounts.
Is there any report that display the information but regarding account groups (all of them) and then if I want I'll drill down to the accounts?
ThanksHi Pedro
You need to make a new report for it... Here are the steps
Go to GRR3 - > Copy Std report 1SIP-001 under Library 1VK
Click on the rows and choose DO NOT EXPLODE option... There are 2 more options apart from DO NOT ExPLODE...
Just play with those options and should be able to get what you want
LAter on, create a new report group in GR51 and include the report in it
br, Ajay M -
Vendors report by account group
Hi Friends,
I have a list of vendors in an spreadsheet. I want to generate a report with the vendor number, credit, debit, balance and the account group. I tried the SAP defined reports like ( S_ALR_87012082) i can get the vendor, credit, debit, but not the account group. I can select the account group option in the dyanamic selection but not in the report layout
Can any one suggest any other transaction where i can generate the desired report
Thanks in advance
Geniehi,
use query (tcodes sq01/ sq02)
-use/create an infoset with logical database KDF
and tables LFA1 and LFC1
A. -
GL account group wise balance report
Dear Friends,
Could you please let me know whether there is any report to view G/L account group wise balance.
Here we have nearly 1016 GL accounts and grouped under 34 G/L Account groups. Here my client is asking a report to view G/L balances for 34 account groups.
Regards,
Dwarak.Dear Sai,
I'm asking a report where it mainly shows as follows:
G/L Account group Balance
OTIN (Other Income) 10,000.00
SALE(Op Income) 25,000.00
DEPN(Depreciation) 5,000.00
ASST(Assets) 30,000.00
70,000.00
Please let me know if this kind of report is available in SAP.
Regards,
Dwarak. -
P&L Report-Account Group Hierarchy -Position of lower nodes above
I define P&L Statement hierarchy in ERP using T Code: KDH2 (account group). The reason why I don't use standard financial statement version is because it can't include cost object /cost element in the hierarchy.
Then I designed a query using Bex Query designer. In row item "account number", I tagged the accoung group as hierarchy and select "position of Lower-level Nodes": above
However, in crystal report, when I recall the database, it is displayed as "higher nodes above." e.g. cost of sales include lower nodes of Material cost and labor cost, it display in Crystal report as:
Cost of Sales 5000
Material Cost 3000
Labor Cost 2000
I want it to display as "lower nodes above":
Material Cost 3000
Labor Cost 2000
Cost of Sales 5000
I have tried in crystal report desinger- -change group option- sort in original order, in asending, in desending , it doesn't work as "lower node above". (i have to group the account ID)
I don't want to use "sort in specific order" in group option because if it is hard coded, it doesnt faciliate future changes if user changes account group hierarchy in SAP ERP KDH2 (account group).
To sum up, is there anyone can tell me how to show the hierarchy in Crystal Report as "lower node above"?
Regards,
FrancesI find the solution by myselr: just put the account code in crystal report group footer rather than the group header, it will show lower nodes above as
Material cost 2000
Labor cost 3000
Cost of Sales 5000
Edited by: Jixiang Fan on May 14, 2011 12:12 PM -
Change account group for GR55 report using GS02
Hi All,
How do I change the account group at GS03? My account group is PESB_1050 for Facilities Costs and I can display the G/L fot that group using GS03. I need to add new G/L for account group PESB_1050 (for report GR55). I've tried to change from GS02 but the account group is not exist because it not set ID. Kindly advice..
Thanks in advanceHi Eli,
I've tried to change at GS02, but I got this error mssg 'Set PESB_1050 does not exist'.
At GS03, I keyed in PESB_1050 at Set ID field and <enter> then I can see the value (GL acnt) inside the PESB_1050. Account group is PESB_1050. Any idea how to change (delete/add GL) the value for that account group?
Thanks in advance -
List of customer report based on account group - T.Code
Dear Guru's
I need list of customer report based on account group in standard SAP if it there please update th T.Code as earl as possible.
regards,
bhanuHello,
I don't think there is a standard report for this. SE16 select table KNA1 and check for the entries with respect to account group.
Prase -
Standard reports per Account groups
Dear Sap Gurus!
Please tell me if any standard reports are there to analyse customer on basis of Customer account groups linked with payment received debit credit and other fields....
thanks in advance !
Amlan Sarkar
9833301024Dear SAP Gurus!
The Scenerio is as follows there are various account groups :
like z012,z014,z015,z016
I have to define a report to veiw the Agewise report per Customer Account group.
Not Customer Code:
Please help.
rehards,
Amlan Sarkar -
Relationship between "Account Group" and "GL Acct. number".
I need to create a report that lists the GL Account numbers according to selection screen parameter "Account Group" .
Hi i need to find a way\(tables and fields) between the "Account Group" and
the "GL Account number".
to view "Account Group" go to transaction "kdh3".
to view GL account number go to transaction FS00.
the GL account numbers and cost centers are identified by the same number.Hi guys, thanks for helping
Max, i tried that field, but it provides a different set of data compared to the account groups i get using the "F4" on KDH3
Chandrasekhar, i had a look at the view, but it also does not contain the same account groups as found in KDH3.
I have been stuck on this for a while.
thanks again -
Add Multiple records to G/L account group.
Dear ABAP Experts,
i have requirement that is using BDC recording file the Functional People wants to add records to the G/L Account group. The FI consultant gave the recording file, based on the recording file i developed a BDC program. This BDC program will work for single record. After creating single record system will ask for transport request .
REPORT ZDP_ACC_GRP.
TYPES: BEGIN OF TY_TAB,
KTOPL TYPE KTOPL,
KTOKS TYPE KTOKS,
TXT30 TYPE TXT30,
VONNR TYPE VONNR,
BISNR TYPE BISNR,
TRKORR TYPE TRKORR,
END OF TY_TAB.
data: lt_tab type table of ty_tab,
wa_tab type ty_tab.
data: begin of record,
* data element: KTOPL
KTOPL_01_001(004),
* data element: KTOKS
KTOKS_01_002(004),
* data element: TXT30_077T
TXT30_01_003(030),
* data element: VONNR_077S
VONNR_01_004(010),
* data element: BISNR_077S
BISNR_01_005(010),
* data element: TRKORR
TRKORR_006(020),
end of record.
* Batchinputdata of single transaction
DATA: BDCDATA type table of BDCDATA WITH HEADER LINE.
* messages of call transaction
DATA: MESSTAB type table of BDCMSGCOLL WITH HEADER LINE.
* error session opened (' ' or 'X')
DATA: E_GROUP_OPENED.
* message texts
TABLES: T100.
data:lv_file type string.
parameters: p_fname type IBIPPARMS-PATH.
at selection-screen on value-request for p_fname.
CALL FUNCTION 'F4_FILENAME'
EXPORTING
PROGRAM_NAME = SYST-CPROG
DYNPRO_NUMBER = SYST-DYNNR
FIELD_NAME = 'P_FNAME'
IMPORTING
FILE_NAME = p_fname .
start-of-selection.
lv_file = p_fname.
CALL FUNCTION 'GUI_UPLOAD'
EXPORTING
FILENAME = LV_FILE
* FILETYPE = 'ASC'
HAS_FIELD_SEPARATOR = 'X'
TABLES
DATA_TAB = LT_TAB
EXCEPTIONS
FILE_OPEN_ERROR = 1
FILE_READ_ERROR = 2
NO_BATCH = 3
GUI_REFUSE_FILETRANSFER = 4
INVALID_TYPE = 5
NO_AUTHORITY = 6
UNKNOWN_ERROR = 7
BAD_DATA_FORMAT = 8
HEADER_NOT_ALLOWED = 9
SEPARATOR_NOT_ALLOWED = 10
HEADER_TOO_LONG = 11
UNKNOWN_DP_ERROR = 12
ACCESS_DENIED = 13
DP_OUT_OF_MEMORY = 14
DISK_FULL = 15
DP_TIMEOUT = 16
OTHERS = 17 .
LOop at lt_tab into wa_tab.
perform bdc_dynpro using 'SAPL0F09' '0020'.
perform bdc_field using 'BDC_CURSOR'
'V_T077S-TXT30(01)'.
perform bdc_field using 'BDC_OKCODE'
'=NEWL'.
perform bdc_dynpro using 'SAPL0F09' '0020'.
perform bdc_field using 'BDC_CURSOR'
'V_T077S-BISNR(01)'.
perform bdc_field using 'BDC_OKCODE'
'=SAVE'.
perform bdc_field using 'V_T077S-KTOPL(01)'
WA_TAB-KTOPL."record-KTOPL_01_001.
perform bdc_field using 'V_T077S-KTOKS(01)'
WA_TAB-KTOKS."record-KTOKS_01_002.
perform bdc_field using 'V_T077S-TXT30(01)'
WA_TAB-TXT30."record-TXT30_01_003.
perform bdc_field using 'V_T077S-VONNR(01)'
WA_TAB-VONNR."record-VONNR_01_004.
perform bdc_field using 'V_T077S-BISNR(01)'
WA_TAB-BISNR."record-BISNR_01_005.
perform bdc_dynpro using 'SAPLSTRD' '0300'.
perform bdc_field using 'BDC_CURSOR'
'KO008-TRKORR'.
perform bdc_field using 'BDC_OKCODE'
'=LOCK'.
perform bdc_field using 'KO008-TRKORR'
WA_TAB-TRKORR."record-TRKORR_006.
perform bdc_dynpro using 'SAPL0F09' '0020'.
perform bdc_field using 'BDC_CURSOR'
'V_T077S-KTOPL(02)'.
perform bdc_field using 'BDC_OKCODE'
'=BACK'.
perform bdc_dynpro using 'SAPL0F09' '0020'.
perform bdc_field using 'BDC_CURSOR'
'V_T077S-KTOPL(02)'.
perform bdc_field using 'BDC_OKCODE'
'=BACK'.
perform bdc_transaction using 'OBD4'.
ENDLOOP.
FORM BDC_TRANSACTION USING TCODE.
DATA: L_MSTRING(480).
DATA: L_SUBRC LIKE SY-SUBRC.
* batch input session
* call transaction using
REFRESH MESSTAB.
CALL TRANSACTION 'OBD4' USING BDCDATA
MODE 'A'" CTUMODE
UPDATE 'S'"CUPDATE
MESSAGES INTO MESSTAB.
L_SUBRC = SY-SUBRC.
LOOP AT MESSTAB.
SELECT SINGLE * FROM T100 WHERE SPRSL = MESSTAB-MSGSPRA
AND ARBGB = MESSTAB-MSGID
AND MSGNR = MESSTAB-MSGNR.
IF SY-SUBRC = 0.
L_MSTRING = T100-TEXT.
IF L_MSTRING CS '&1'.
REPLACE '&1' WITH MESSTAB-MSGV1 INTO L_MSTRING.
REPLACE '&2' WITH MESSTAB-MSGV2 INTO L_MSTRING.
REPLACE '&3' WITH MESSTAB-MSGV3 INTO L_MSTRING.
REPLACE '&4' WITH MESSTAB-MSGV4 INTO L_MSTRING.
ELSE.
REPLACE '&' WITH MESSTAB-MSGV1 INTO L_MSTRING.
REPLACE '&' WITH MESSTAB-MSGV2 INTO L_MSTRING.
REPLACE '&' WITH MESSTAB-MSGV3 INTO L_MSTRING.
REPLACE '&' WITH MESSTAB-MSGV4 INTO L_MSTRING.
ENDIF.
CONDENSE L_MSTRING.
WRITE: / MESSTAB-MSGTYP, L_MSTRING(250).
ELSE.
WRITE: / MESSTAB.
ENDIF.
ENDLOOP.
REFRESH BDCDATA.
ENDFORM.
FORM BDC_DYNPRO USING PROGRAM DYNPRO.
CLEAR BDCDATA.
BDCDATA-PROGRAM = PROGRAM.
BDCDATA-DYNPRO = DYNPRO.
BDCDATA-DYNBEGIN = 'X'.
APPEND BDCDATA.
ENDFORM.
FORM BDC_FIELD USING FNAM FVAL.
CLEAR BDCDATA.
BDCDATA-FNAM = FNAM.
BDCDATA-FVAL = FVAL.
APPEND BDCDATA.
ENDFORM.
But the FI consultant wants to add multiple records to 'G/L account group'.After adding records before saving the system need to ask transport request at the last.
How can I write code ...??
Please help me.Hi Srikanth,
Thanks for reply,
You are right we need to load hierarchy for G/L then we can see all the G/L's for all G/L groups.
I have one more question when I check in RSA3 for the G/L account numbers, I could not find them.
I am using the datasource fi_gl_4 and in rsa3 I can see 1000 records data and when I put filter on G/L account and search for the G/L number I needed I cant see it, but it is there in the functional transaction(f.01)?
How to check for the required G/L's in rsa3 ?
Thx -
KE24 Report comparison with FI GL account balance report
Hi Friends,
I'm comparing KE24 transaction code COPA actual line item balance with FI GL account balance report, but I'm not able to match it/not sure how to match it.
Could you please let me know how to compare these two reports mainly to know whether all the balances in FI are moving to COPA properly. Also please let me know how the values are being extracted for this KE24 transaction code.
Thanks & Regards,
DwarakThis comparison can only be done with a thorough knowledge of the config that was made to transfer information into the COPA system. It is COMPLETELY implementation specific. It generally is grouped into several areas - Revenue, Cost of goods sold @standard, cost of goods sold period based adjustments (E.g. variances) and overheads.
Here is some VERY broad guidelines:
Revenue method will depend on whether you are using "vanilla" sales of inventory from SD, or whether you use resource related billing in PS. Further you will need to know which condition types post to which GL Accounts, and to which value fields.
Cogs method will depend on the sames differences, also whether you are using material master price (VPRS), or whether you are using standard cost estimate. If you are using standard cost estimate, you need to know the cost components used, and which value fields they post to.You also need to know which GL account(s) is posted to. This is based on the valuation class in table 30. Alternatively, for resource related billing you have to know how the DIP profile was set up.
You need to know how your production variances are posted, your purchase price variances and your overhead variances on production cost centres.
Overheads can be posted directly from FI, from MM, or settled from an internal order or project. Alternatively, they are assessed from cost centres, to PA using assessment rules.
You also need to know whether there are any statistical value fields, which should be excluded from the reconciliation.
Maybe you are looking for
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